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Holdings (Monthly) Guide ↗

Templeton Growth Fund, Inc.

Monthly Holdings $9.4B AUM 52 positions Period May 2026 Filed Jul 27, 2026 EDGAR ↗ ← All Funds
All 52 New 5 Added 5 Reduced 6 Exited · May 2026 vs Feb 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Linde plc N/A Feb 2026 449,131 NEW $223.5M 2.40% EC
2 ING Groep NV N/A Feb 2026 7,146,755 NEW $221.4M 2.38% EC
3 Samsung Electronics Co. Ltd. N/A Feb 2026 1,019,161 NEW $213.8M 2.30% EC
4 HSBC Holdings plc N/A Feb 2026 10,707,767 NEW $201.1M 2.16% EC
5 Siemens Energy AG N/A Feb 2026 984,434 NEW $186.4M 2.00% EC
6 Schneider Electric SE N/A Feb 2026 575,057 NEW $180.6M 1.94% EC
7 Safran SA N/A Feb 2026 499,786 NEW $177.8M 1.91% EC
8 Rio Tinto Ltd. N/A Feb 2026 1,280,900 NEW $171.3M 1.84% EC
9 Infineon Technologies AG N/A Feb 2026 1,748,444 NEW $165.8M 1.78% EC
10 Vinci SA N/A Feb 2026 1,035,401 NEW $150.6M 1.62% EC
11 Booking Holdings, Inc. 09857L108 May 2026 859,852 NEW $144.0M 1.55% EC
12 Australia & New Zealand Banking Group Ltd. N/A Feb 2026 143,900,000 NEW $143.9M 1.55% STIV
13 Airbus SE N/A Feb 2026 642,490 NEW $134.2M 1.44% EC
14 Keyence Corp. N/A Feb 2026 265,089 NEW $133.2M 1.43% EC
15 SSE plc N/A Feb 2026 4,253,233 NEW $133.0M 1.43% EC
16 BYD Co. Ltd. N/A Feb 2026 11,167,000 NEW $130.0M 1.40% EC
17 Unilever plc N/A Feb 2026 2,079,113 NEW $117.7M 1.26% EC
18 Amphenol Corp. 032095101 May 2026 733,094 NEW $109.1M 1.17% EC
19 Medtronic plc N/A Feb 2026 1,442,161 NEW $106.4M 1.14% EC
20 Advanced Micro Devices, Inc. 007903107 May 2026 203,594 NEW $105.1M 1.13% EC
21 Novo Nordisk A/S N/A Feb 2026 2,280,212 NEW $104.2M 1.12% EC
22 AIA Group Ltd. N/A Feb 2026 9,931,200 NEW $104.2M 1.12% EC
23 Ebara Corp. N/A Feb 2026 2,719,708 NEW $96.7M 1.04% EC
24 Arista Networks, Inc. 040413205 May 2026 605,720 NEW $96.6M 1.04% EC
25 ConocoPhillips 20825C104 May 2026 832,267 NEW $94.9M 1.02% EC
26 IHI Corp. N/A Feb 2026 5,447,565 NEW $94.7M 1.02% EC
27 AstraZeneca plc N/A Feb 2026 502,870 NEW $93.4M 1.00% EC
28 Smurfit Westrock plc N/A Feb 2026 2,264,500 NEW $93.2M 1.00% EC
29 Mitsubishi Electric Corp. N/A Feb 2026 2,290,979 NEW $93.1M 1.00% EC
30 BP plc N/A Feb 2026 13,045,495 NEW $92.1M 0.99% EC
31 Carrier Global Corp. 14448C104 May 2026 1,433,717 NEW $91.6M 0.98% EC
32 Netflix, Inc. 64110L106 May 2026 1,048,176 NEW $90.2M 0.97% EC
33 NextEra Energy, Inc. 65339F101 May 2026 1,026,959 NEW $89.4M 0.96% EC
34 Progressive Corp. (The) 743315103 May 2026 468,478 NEW $89.2M 0.96% EC
35 CNH Industrial NV N/A Feb 2026 8,569,730 NEW $87.5M 0.94% EC
36 Hong Kong Exchanges & Clearing Ltd. N/A Feb 2026 1,713,160 NEW $87.5M 0.94% EC
37 JD.com, Inc. 47215P106 May 2026 2,924,776 NEW $84.3M 0.91% EC
38 Sun Hung Kai Properties Ltd. N/A Feb 2026 4,926,603 NEW $82.7M 0.89% EC
39 HDFC Bank Ltd. N/A Feb 2026 10,435,925 NEW $81.8M 0.88% EC
40 Toyota Motor Corp. N/A Feb 2026 4,125,600 NEW $78.0M 0.84% EC
41 SBI Shinsei Bank Ltd. N/A Feb 2026 6,898,976 NEW $60.5M 0.65% EC
42 Applied Materials, Inc. 038222105 May 2026 107,092 NEW $48.2M 0.52% EC
43 Franklin Institutional U.S. Government Money Market Fund 457756500 May 2026 44,705,864 NEW $44.7M 0.48% STIV
44 United Rentals, Inc. 911363109 May 2026 41,488 NEW $41.3M 0.44% EC
45 IQVIA Holdings, Inc. 46266C105 May 2026 127,188 NEW $23.2M 0.25% EC
46 EURO N/A Feb 2026 176,116 NEW $205K 0.00% STIV
47 Canadian Dollar N/A Feb 2026 1 NEW $1 0.00% STIV
48 Pound Sterling N/A Feb 2026 0 NEW $0 0.00% STIV
49 Hemisphere Properties India Ltd. N/A Feb 2026 104,748 NEW $0 0.00% EC
50 Indian Rupee N/A Feb 2026 0 NEW $0 0.00% STIV
51 Yen N/A Feb 2026 0 NEW $0 0.00% STIV
52 Won N/A Feb 2026 -17 NEW $-0 0.00% STIV